Financials
Valor 2022202320242025 TTM Cash from investing activities -111.63 M-2.22 M-10.13 M-35.33 M -35.33 M Cash from financing activities 27.71 M-24.95 M67.27 M282.07 M 282.07 M Free cash flow -57.76 M5.3 M27.48 M81.12 M 81.12 M